Cargando…
Analysis of risk correlations among stock markets during the COVID-19 pandemic
The outbreak of the COVID-19 pandemic significantly negatively impacted the global economy and stock markets. This paper investigates the stock-market tail risks caused by the COVID-19 pandemic and how the pandemic affects the risk correlations among the stock markets worldwide. The conditional auto...
Autores principales: | Wu, JunFeng, Zhang, Chao, Chen, Yun |
---|---|
Formato: | Online Artículo Texto |
Lenguaje: | English |
Publicado: |
Elsevier Inc.
2022
|
Materias: | |
Acceso en línea: | https://www.ncbi.nlm.nih.gov/pmc/articles/PMC9164517/ https://www.ncbi.nlm.nih.gov/pubmed/36536651 http://dx.doi.org/10.1016/j.irfa.2022.102220 |
Ejemplares similares
-
Jumps and stock market variance during the COVID-19 pandemic: Evidence from international stock markets
por: Zeng, Qing, et al.
Publicado: (2022) -
Dependence between Chinese stock market and Vietnamese stock market during the Covid-19 pandemic
por: Nguyen, Van Chien, et al.
Publicado: (2022) -
International stock market risk contagion during the COVID-19 pandemic
por: Liu, Yuntong, et al.
Publicado: (2022) -
The role of the IDEMV in predicting European stock market volatility during the COVID-19 pandemic
por: Li, Yan, et al.
Publicado: (2020) -
Immune or at-risk? Stock markets and the significance of the COVID-19 pandemic
por: O’Donnell, Niall, et al.
Publicado: (2021)